We invited attorneys and compliance officers of broker-dealers and investment advisers to join us for a conference call on April 18 to discuss, among other topics:

  • FINRA and SEC examination priorities, such as sales practice risks, market integrity, cybersecurity, AML, and operational and financial risks.
  • State regulatory and enforcement updates regarding fiduciary issues for Massachusetts, New York, Nevada, and others.
  • An overview of the SEC’s Share Class Selection Disclosure Initiative.

Listen to the Recording

Questions? Please contact liz.jutila dbr.com